Python can be especially useful in finance as it has powerful analytical and predictive modeling capabilities. In this course, you'll learn just how Python can be applied in the world of finance. Even if you know absolutely nothing about coding, you'll learn in-demand, real-world skills that can make your resume jump out or help you make a difference in your own financial portfolio.

Access 104 lectures & 6.5 hours of content 24/7

Build correlations between stocks, estimate risk & rate of return

Explore the difference between diversifiable & non-diversifiable risk

Perform regression analysis

Measure a regression's explanatory power w/ R^2

Use Monte Carlo in a corporate finance context for options & stock pricing